What types of costs are involved with hedging against risk?
Please give an explanation and an example of each. (No copying)

Answers

Answer 1

Hedging against risk involves incurring certain costs that are associated with the process of protecting oneself from potential losses.

There are various types of costs that are involved with hedging against risk, including transaction costs, margin requirements, and opportunity costs. Transaction costs are expenses incurred when buying or selling securities, such as brokerage fees, commissions, and taxes. These costs can increase as the frequency of trades increases, and can add up over time.

Margin requirements refer to the amount of capital that a trader must keep in their account in order to meet the minimum requirements set by the exchange or broker. This cost can be significant, as it ties up capital that could be used for other investments.

Opportunity costs refer to the potential gains that are lost by hedging against risk, such as missing out on a profitable investment opportunity. For example, if an investor decides to hedge against the risk of a decline in the stock market by selling their stocks and investing in bonds, they may miss out on potential gains in the stock market if it continues to rise.

Overall, while hedging against risk can provide a sense of security, it is important to consider the costs involved before making any decisions.

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Related Questions

The Beacon has proposed a reorganization plan based on a going-concern value of $1.3 million after court costs and delinquent wages and taxes. The proposed financial structure is $400,000 in new mortgage debt, $200,000 in subordinated debt, and $700,000 in new equity. Secured creditors currently have a mortgage lien for $600,000 and the unsecured creditors are owed $950,000. What should the unsecured creditors receive if the reorganization plan is approved?
Multiple Choice
$700,000 in equity securities
$200,000 in subordinated debt and $700,000 in equity securities
$950,000 in new equity securities
61.3 percent of the new mortgage debt, 61.3 percent of the subordinated debt, and 61.3 percent of new equity
82.6 percent of the subordinated debt and 82.6 percent of new equity

Answers

$700,000 in equity securities should the unsecured creditors receive if the reorganization plan is approved. The correct answer is option a.

To determine what the unsecured creditors should receive if the reorganization plan is approved, we first need to calculate the total amount of debt and equity in the proposed financial structure:

Total debt = $600,000 (secured mortgage debt) + $400,000 (new mortgage debt) + $200,000 (subordinated debt) = $1,200,000

Total equity = $700,000

Total value of the company = Total debt + Total equity = $1,900,000

Since the going-concern value of the company after court costs and delinquent wages and taxes is $1.3 million, this means that the company has a shortfall of $600,000 ($1.9 million - $1.3 million).

The reorganization plan proposes to address this shortfall by issuing $700,000 in new equity, which means that the unsecured creditors will receive the remaining $600,000 ($1.3 million - $700,000) in equity securities.

Therefore, the answer is (a) $700,000 in equity securities. None of the other options presented match the calculation above.

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a question like, "what's the name of the waiter?" requires __________; a question like, "isn't that the guy we usually see on the bus?" requires __________.

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A question like, "what's the name of the waiter?" requires factual knowledge or information. It assumes that the person being asked knows the answer to the question and that the answer can be easily retrieved from memory. On the other hand, the second type of question, "isn't that the guy we usually see on the bus?" requires confirmation or clarification.

In this case, the person being asked would need to recall the name of the waiter in order to answer the question. This type of question is often used to obtain specific information about a person, place, or thing.

It assumes that the person being asked may or may not know the answer to the question and that the answer requires some level of discussion or analysis. In this case, the person being asked would need to consider whether the person they are seeing is indeed the same person they usually see on the bus. This type of question is often used to confirm or clarify information that is uncertain or ambiguous.

The type of question being asked determines the type of knowledge or information required to answer it. Factual questions require specific information, while confirmation questions require a level of analysis and discussion to arrive at an answer.

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When interest rates fall, the present value of fixed future cash flows: a. Increases. b. First falls, then rises. c. Remains the same. d. Decreases. If an investor combines two securities with a correlation of minus 1: a. The risk of the resulting portfolio will always be greater than the risk of either of the component securities. b. It is possible to end up with zero risk. c. The risk of the resulting portfolio will be the average of the risks of the component securities. d. The risk of the resulting portfolio will be equal to the risks of the component securities. Corporation had sales this year of $1,635 million, and sales are expected to grow by 20 percent next year. Next year the company expects cost of goods sold to be 60 percent of sales, selling expenses to be $20 million per month, depreciation to be $5 million per month, and interest expense to be $12 million per month. Taxes are computed at 21 percent. What is Finlay's expected net income next year? a. $590.8 million. b. $269.2 million. c. $165.9 million. d. $487.4 million.

Answers

When interest rates fall, the present value of fixed future cash flows increases. The answer is option a.

If an investor combines two securities with a correlation of minus 1, it is possible to end up with zero risk.

To calculate Finlay's expected net income next year, we can use the following formula: Net Income = (Sales - Cost of Goods Sold - Selling Expenses - Depreciation - Interest Expense) x (1 - Tax Rate),Net Income = ($1,635 million x 1.20 - $1,635 million x 0.60 - $20 million x 12 - $5 million x 12 - $12 million x 12) x (1 - 0.21), Net Income = $590.8 million

Therefore, the expected net income for Finlay next year is $590.8 million.

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Antonio and Trina are a young couple with two small children, Jason (age four) and Claudia (age two). Trina is an account executive for a brokerage firm while Antonio has taken a couple years off from his profession as a civil engineer to work on an MBA degree. Right now Antonio and Trina's budget is very tight, as they are accustomed to living on two incomes, but Trina's employer has just circulated employer benefit information, so Antonio and Trina believe this is a good time to evaluate their life insurance needs. They have listed the financial information they believe is relevant.Using a 7-year multiple-of-earnings approach, how much additional life insurance is needed on Trina's life? Refer to information in #1. How much additional life insurance is needed on Antonio's life using his former income and the 7-year multiple-of-earnings approach? Refer to information in #1. Using the needs-based approach, how much additional life insurance is needed on Trina's life?

Answers

This approach involves calculating the amount of money needed to cover the family's current and future financial obligations in the event of Trina's untimely death. They need to consider factors such as outstanding debts, future college expenses for the children, and ongoing living expenses.

Based on the given information, Antonio and Trina should evaluate their life insurance needs. To determine the amount of additional life insurance needed on Trina's life using a 7-year multiple-of-earnings approach, they need to calculate Trina's current annual income and multiply it by seven. If Trina's annual income is $60,000, then the additional life insurance needed on her life would be $420,000 (i.e., $60,000 x 7).

To determine the additional life insurance needed on Antonio's life using his former income and the 7-year multiple-of-earnings approach, they need to calculate Antonio's former annual income and multiply it by seven.

If Antonio's former annual income was $80,000, then the additional life insurance needed on his life would be $560,000 (i.e., $80,000 x 7). Alternatively, they can use the needs-based approach to determine the additional life insurance needed on Trina's life. Once they have calculated the total amount needed, they can subtract Trina's current life insurance coverage and savings to determine the additional life insurance needed.

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Barbara Hotel Extrorde bir 9 = 72 Scenario 10.1: Barbara is a producer in a monopoly industry. Her demand curve, total revenue curve, marginal revenue curve and total cost curve are given as follows: 0-160 - 4P TR-400 -0.2502 MR - 40-0.50 TC-40 MC - 4 21) Refer to Scenario 10.1. How much output will Barbara produce? A) 0 MCMR B) 22 C) 56 20-0,50 üreticile. Talep eğrisi, toplum D) 72 0.59 16 E) none of the above The price of her product will be A) 4 rinin fiyati olacaktır. B) 22 C) 32 D) 42 E) 72

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In the given situation of Barbara being a producer in a monopoly industry, the correct answers are 1) Output level = 63 (option C) and 2) Price of product = 88 (none of the options given)

Barbara will produce the output level where her marginal cost (MC) equals her marginal revenue (MR). In this case, MC is given as 4 and MR is given as -0.2502 times the price (P). To find the output level where MC equals MR, we need to solve for P in the equation 4 = -0.2502P.

This gives us P = 16016, which is approximately equal to 63.47. Therefore, Barbara will produce the output level where P = 63.47, which can be found by substituting this value of P into her demand curve: Q = 160 - 4P = 160 - 4(63.47) = 63.13. So, Barbara will produce approximately 63 units of output.

The price of her product will be equal to her demand curve at the output level she produces, which we just calculated to be approximately 63. Therefore, the price of her product will be approximately 160 - 4(63) = 88.

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The right responses, in the scenario where Barbara is a producer in a monopoly industry, are 1) Output level = 63 (option C) and 2) Price of product = 88 (none of the alternatives provided).

When Barbara's marginal cost (MC) and marginal revenue (MR) are equal, she will create that amount of production. MC is specified as 4 in this instance, while MR is specified as -0.2502 times the price (P). We need to get P in the equation 4 = -0.2502P in order to determine the output level at which MC and MR are equal.

This gives us P = 16016, or around 63.47, as a result. By adding this value of P to her demand curve, Q = 160 - 4P = 160 - 4(63.47) = 63.13, we may determine that Barbara will create the output level where P = 63.47. Thus, Barbara will generate about 63 units of output.

At the output level she generates, which we just predicted to be about 63, the price of her product will be equal to her demand curve. Consequently, her product will cost roughly 160 - 4(63) = 88.

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a
bond has a coupon rate of 5.5% with interest paid semi-annialy. The
face value of the bonds is $1000 and the bknd mature in 2 years.
What is the intrinsic value of the bons with a required return of

Answers

The intrinsic value of the bond is $1,022.02 To calculate the intrinsic value of the bond, we need to use the following formula:

Intrinsic value = (C / r) x [1 - (1 / (1 + r)^n)] + (F / (1 + r)^n)

Where:
C = Coupon payment
r = Required rate of return
n = Number of periods
F = Face value

Using the given information, we can substitute the values in the formula:

C = $27.50 (5.5% x $1000 / 2)
r = Required rate of return
n = 4 (2 years x 2 semi-annual periods)
F = $1000

Let's assume that the required rate of return is 6%.

Intrinsic value = ($27.50 / 0.06) x [1 - (1 / (1 + 0.06)^4)] + ($1000 / (1 + 0.06)^4)
Intrinsic value = $1,022.02

Therefore, the intrinsic value of the bond with a required return of 6% is $1,022.02.

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A and B both like chocolate cake. There are three periods in which they can eat the cake, t = 1, 2, 3, and then a final period, t = 4 in which they incur the costs of their diet. For each period that A or B eats cake, they receive an enjoyment benefit of bt immediately, and they pay a delayed cost of c at t = 4. The total delayed cost depends on how much cake they eat. At t = 1 A and B decide whether to eat cake in that period. At t = 2 and t = 3 A and B decide whether to continue to eat. They can only begin to eat at t = 1. Thus, if they choose not to eat at t = 1, they cannot eat at t = 2 or t = 3. If they eat at t = 1 but decide not to eat at t = 2, they cannot eat again at t = 3. A and B have identical preferences over the game, given as follows: c = 8, b1 = 12, b2 = 6, b3 = 2, β = 0.5, δ = 1 Thus, if A or B eat at t = 1 they receive a benefit of b1 = 12 at t = 1, and a delayed cost of c = 8 at t = 4. If A or B eat at both at t = 1 and at t = 2, they receive a benefit of b1 = 12 at t = 1 and b2 = 6 at t = 2, and a total cost of 2c = 16 at t = 4. A is naive, B is sophisticate.
a) How many rounds will A eat? [0.5 marks]
b) How many rounds will B eat? [0.5 marks]
c) Now assume that there is a period t = 0. At t = 0 A and B cannot eat, but they can pay a flat-rate price for a binding commitment device that allows them to decide in advance how many rounds they want to limit themselves to, and prevents them from eating more than that. In period zero, how many rounds of eating will B choose to limit themselves to? [1 mark]
d) Assuming that all costs and benefits are measured in dollars, what is the maximum price p that B would pay to use the commitment device? [0.5 mark]
e) What happens to A, a naive agent, in the presence of the commitment device? [0.5 marks]

Answers

a) A, being naive, will eat in all three rounds (t=1, 2, 3) because they receive immediate enjoyment benefits without considering the delayed costs.

b) B, being sophisticated, will eat only in round t=1 because they realize that the enjoyment benefit outweighs the delayed cost (12 > 8) in the first round but not in the subsequent rounds (6 and 2 < 8).

c) In period t=0, B will choose to limit themselves to one round of eating (t=1) since that is the optimal choice considering the costs and benefits.

d) The maximum price B would pay for the commitment device is the difference in net benefits between eating only at t=1 and eating at t=1 and t=2, which is (12 - 8) - [(12 + 6) - 16] = 4.

e) A, being naive, will not be affected by the commitment device since they do not consider the delayed costs and continue to eat in all three rounds, receiving enjoyment benefits without realizing the impact of delayed costs.

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mr. krabs doesn't like the idea of being in debt, so he decides to add $200 to his monthly mortgage payment to pay it off sooner. his previous mortgage payment was $1,470/month for 20 years at 8%, and the cost of the home was $175,744.81. by adding $200 to his monthly payment, approximately how long will it take him to pay off his mortgage? (hint: solving for nper, round your answer to the closest number of years).

Answers

It will take Mr. Krabs approximately 12 years to pay off his mortgage with the new monthly payment.

How to calculate the new time it will take Mr. Krabs to pay off his mortgage?

The PMT function calculates the monthly payment required to pay off a loan given the interest rate, number of periods, and loan amount.

First, we need to calculate the present value of Mr. Krabs' mortgage using the PV function:

PV = -175,744.81

Next, we can use the PMT function to calculate the new monthly payment:

PMT(8%/12,20*12,-1470-200,175744.81,0) = $1,703.82

The first argument in the PMT function is the interest rate per month (8%/12), the second argument is the total number of periods (20 years * 12 months per year).

The third argument is the new monthly payment (-$1,470 - $200), the fourth argument is the present value of the mortgage ($175,744.81), and the fifth argument is the future value (which we assume to be 0).

NPER(8%/12,-1703.82,175744.81,0) = 144.4

The first argument in the NPER function is the interest rate per month (8%/12), the second argument is the new monthly payment (-$1,703.82), the third argument is the present value of the mortgage ($175,744.81), and the fourth argument is the future value (which we assume to be 0).

Therefore, it will take Mr. Krabs approximately 144.4 months to pay off his mortgage with the new monthly payment. Rounded to the closest number of years, this is 12 years.

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true or false: the primary source of review of audit documentation comes from inside of the auditing firm, with little review occurring from outside of the firm.

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The statement "the primary source of review of audit documentation comes from within the auditing firm" is true. The auditing firm is accountable for conducting audits according to professional standards and regulations.

The firm must therefore establish and maintain a system of quality control, which includes reviewing the work of the audit team and ensuring that appropriate documentation has been prepared and retained.

However, it is important to note that there may be some review of audit documentation from outside the firm, particularly in cases where the audit is subject to external oversight, such as by a regulatory agency or a professional standards body.

In addition, in some cases, external parties such as banks or investors may request access to the audit documentation as part of their own review processes. Overall, while the primary source of review of audit documentation is typically within the auditing firm, there may be some external review as well, depending on the circumstances.

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under rent control, tenants can expect a. higher rent and a shortage of rental housing. b. lower rent and lower quality housing. c. higher rent and a surplus of rental housing. d. lower rent and higher quality housing.

Answers

Tenants can anticipate reduced rent and less desirable accommodation under rent control. Here option B is the correct answer.

Rent control is a policy that sets a maximum limit on the amount of rent that landlords can charge for their rental properties. While this may seem like a favorable policy for tenants, it can have negative consequences for both tenants and landlords.

When rent control is implemented, landlords have less incentive to invest in their properties because they cannot raise rents to cover the costs of maintenance or improvements. This can result in a decline in the quality of rental housing, as landlords may choose to cut costs rather than make repairs or upgrades.

Additionally, rent control can create a shortage of rental housing because landlords may choose to convert their rental properties into other uses, such as condominiums or office space if they cannot earn a fair return on their investment.

Lower rents may initially seem like a benefit for tenants, but the long-term consequences of rent control can be detrimental. In the absence of market-rate rents, landlords may not have the resources to maintain or improve their properties, which can lead to a decrease in the quality of rental housing over time. Tenants may also face longer waitlists or limited options for affordable housing due to the shortage of rental properties available.

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Carmen is the beneficiary of an RESP. She just received an educational assistance payment of $5,000. Prior to the payment, her RESP had investment income of $23,000 and a CESG balance of $1,600. What portion of CESG is paid out in the EAP amount of $5000? Round all your calculations to the nearest dollar. A. 325 B. 1275 C. 1295 D. 305

Answers

Answer:

...........................

Explanation:

.......................

A strongly recommended approach for the board to use in choosing a new CEO is for the board members toA)select candidates who are part of the "good old boy" or "good old girl" network.B)minimize social contact with the candidates and thus maintain objectivity.C)have extensive email contact with the candidates.D)have direct and extensive contact with the candidates.

Answers

The recommended approach for the board to use in choosing a new CEO is to have direct and extensive contact with the candidates. The correct option is D.

It is important for board members to have a clear understanding of the candidate's background, experience, and qualifications to make an informed decision. Direct contact allows the board to ask questions and assess the candidate's ability to lead the company. It is also important for the board to maintain objectivity and avoid any biases that may arise from social contact or relationships with the candidates. Ultimately, the decision should be based on the candidate's qualifications and ability to meet the needs of the company. This approach will ensure that the board selects the best candidate for the job, rather than simply selecting someone based on personal relationships or connections within the industry.

Therefore, the appropriate answer is option D.

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The strongly recommended approach for the board to use in choosing a new CEO is to have direct and extensive contact with the candidates.

This allows the board members to ask specific questions, observe the candidate's communication skills, and get a better understanding of their qualifications and fit for the position. Minimizing social contact can be counterproductive as it may prevent the board from getting to know the candidate's personality and character. Similarly, selecting candidates solely based on their network can limit the pool of qualified applicants. While email communication can be useful for initial contact and scheduling, it should not replace in-person or virtual interviews where board members can direct or engage with the candidate on a deeper level.

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our company sells a product for $150 per unit. variable costs are $90 per unit and fixed costs are $18,000. the company expects to sell 800 units this year. what are the required sales in dollars needed to earn a profit of $7,200? group of answer choices $60,000 $63,000 $57,000 $61,500

Answers

The required sales in dollars needed to earn a profit of $7,200 is $30,000.

To calculate the required sales in dollars needed to earn a profit of $7,200, we need to use the formula:

Profit = (Sales - Variable Costs - Fixed Costs)

We know that the selling price per unit is $150, the variable cost per unit is $90, and the fixed cost is $18,000. We also know that the company expects to sell 800 units this year. Therefore, we can plug in these values into the formula and solve for the required sales in dollars:

$7,200 = (800 x $150 - 800 x $90 - $18,000)

$7,200 = ($120,000 - $72,000 - $18,000)

$7,200 = $30,000

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Problem 16-15 MM and Taxes Cede & Co. expects its EBIT to be $147,000 every year forever. The company can borrow at 9 percent. The company currently has no debt and its cost of equity is 12 percent and the tax rate is 21 percent. The company borrows $192,000 and uses the proceeds to repurchase shares. a. What is the cost of equity after recapitalization? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g. 32.16.) b. What is the WACC? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

a. The cost of equity after recapitalization is 11.28%.

b. The WACC is 9.43%.

The cost of equity after recapitalization is calculated by taking the cost of equity before recapitalization and multiplying it by the ratio of the new equity to total capitalization (1 - D/V).

Since the company currently has no debt, the debt-to-value ratio is 0, so the cost of equity after recapitalization is simply equal to the cost of equity before recapitalization, or 12%.

The WACC is calculated by taking the cost of debt multiplied by the debt-to-value ratio plus the cost of equity multiplied by the equity-to-value ratio, all multiplied by one minus the tax rate.

In this case, the cost of debt is 9%, the debt-to-value ratio is 0.2, the cost of equity is 11.28%, and the equity-to-value ratio is 0.8. Multiplying these by 1 - 0.21 (the tax rate) results in a WACC of 9.43%.

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recording b/ar/cr event data is generally the responsibility of the treasury department, which typically reports to the controller function. group of answer choices true false

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The treasury department, which normally reports to the controller function, is in charge of recording b/ar/cr event data in most cases. False.

The Monthly Treasury Statement is in accordance with the U.S. Government's budget and provides a summary of the financial operations of the federal government and off-budget federal agencies. The Treasury discloses the total amounts of marketable coupon securities and bills distributed to investor classes at auction.

Bill auction data is delayed and delivered twice monthly for coupon securities and once monthly for bill auction data. a site or place where treasure, such as money or priceless artifacts, are housed. They may be public or royal property, a church's treasure, or anything owned by an individual.

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if the marginal product per dollar spent on capital is less than the marginal product per dollar spent on labor, then in order to minimize costs the firm should use:

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If the marginal product per dollar spent on capital is less than the marginal product per dollar spent on labor, then in order to minimize costs the firm should use more labor and less capital.

Marginal product per dollar is the additional output produced by spending one more dollar on a particular factor of production. In this scenario, the marginal product per dollar spent on labor is higher than the marginal product per dollar spent on capital.

This implies that the firm can produce more output by spending an additional dollar on labor as compared to spending the same dollar on capital.

To minimize costs and achieve maximum efficiency, the firm should allocate more resources towards the factor with the higher marginal product per dollar, which in this case is labor.

By using more labor and less capital, the firm can increase its output while minimizing costs. This is because the additional labor will lead to a greater increase in output than the additional capital, while also being relatively cheaper to employ.

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what determines the monopoly markup? group of answer choices barriers to entry patents elasticity of demand

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The monopoly markup is determined by a combination of barriers to entry, patents, and elasticity of demand. Barriers to entry can include high start-up costs, government regulations, and exclusive access to resources.

These barriers limit competition and allow the monopoly to charge a higher price for their product or service. Patents also play a role in determining the monopoly markup as they provide legal protection for a company's unique product or process, preventing competitors from entering the market.

Finally, elasticity of demand refers to the responsiveness of consumers to changes in price. If the product or service has low elasticity of demand, the monopoly has more pricing power and can charge a higher markup.

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A worker chooses to work X hours per week, at a wage of $9 per hour. An overtime rate of $12 per hour is then offered, for hours in excess of 40; in this situation, the worker chooses to work Y hours per week. Finally, the $12 wage is offered for all hours worked, and the worker chooses to work Z hours per week. What can be said about the relationship between X, Y and Z (for example, is Y greater than Z)? Explain your answer in terms of income and substitution effects.
There are three main cases: X=40, X<40, and X>40.
i. X=40:
ii. X<40:
iii. X>40:

Answers

In the relationship between X, Y, and Z:

i. X=40: Y ≥ X, Z ≥ Y.
ii. X<40: Y ≥ X, Z ≥ Y.
iii. X>40: Y > X, Z ≥ Y.

Income and substitution effects play a role in determining the hours a worker chooses to work. For X=40, the overtime rate incentivizes the worker to work more hours (Y) and when the $12 wage is offered for all hours, the worker chooses to work at least the same amount (Z).

For X<40, both overtime and the increased wage for all hours encourage the worker to work more (Y and Z). For X>40, the overtime rate prompts the worker to work even more hours (Y), and when the $12 wage is offered for all hours, they may work the same or more hours (Z).

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dabasso is a coffee grower in uganda. the price he charges for local customers is less than the price of coffee that is imported from other countries. dabasso counts on the fact that the ugandan government has placed a(n) on imported coffee because it makes it easier for dabasso to compete. group of answer choices quota exchange control tariff boycott

Answers

The word that fits in the blank is "tariff".

A tariff is a tax that a government imposes on imported goods. By imposing a tariff on imported coffee, the Ugandan government makes it more expensive for local customers to buy coffee from other countries. This gives local coffee growers like Dabasso an advantage because they can charge a lower price for their coffee and still compete with imported coffee. Therefore, Dabasso counts on the fact that the Ugandan government has placed a tariff on imported coffee because it makes it easier for him to compete.

The need for controls can be illustrated in the way control interacts with planning. One example of this interaction is the fact that planning prescribes ___ behaviors while controls help to maintain

Answers

One example of this interaction is the fact that planning prescribes desired behaviors, while controls help to maintain those behaviors.

What is meant by planning?

Planning involves setting objectives, establishing goals, and developing strategies and action plans to achieve those objectives and goals. It outlines the desired behaviors and actions that individuals or organizations should follow in order to achieve their intended outcomes.

Controls, on the other hand, are mechanisms or processes put in place to ensure that actual behaviors and actions align with the planned behaviors. Controls are designed to monitor and regulate performance, identify any deviations from planned behaviors, and take corrective action when necessary. Controls help to maintain the planned behaviors and actions by providing feedback, measuring progress, and identifying and addressing any variances or discrepancies.

In this way, planning provides the blueprint for desired behaviors, while controls serve as a means to monitor and maintain those behaviors, ensuring that they are executed in line with the planned objectives and goals. The interaction between planning and controls is essential in achieving effective performance management and ensuring that an organization is on track towards its intended outcomes.

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government policy that attempts to manage the economy by controlling the money supply and thus interest rates. NAFTA (North American Free Trade Agreement).

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The government policy you are referring to is called monetary policy. It is implemented by the central bank of a country to regulate the economy by controlling the money supply and interest rates. By adjusting the interest rates, the central bank can influence borrowing and lending, which affects economic growth, inflation, and unemployment rates.

NAFTA is a trade agreement between the United States, Canada, and Mexico that went into effect in 1994. The agreement aimed to promote free trade between the three countries by eliminating tariffs on goods and services and reducing other trade barriers. NAFTA has had a significant impact on the economies of these countries, leading to increased trade, investment, and job opportunities. However, it has also been criticized for leading to job losses in certain industries and worsening income inequality. NAFTA aimed to boost economic growth, generate employment, and expand trade and investment among the three nations. Even though it did have some positive effects, such as increased trade, investment, and job creation, it also drew criticism for contributing to wage stagnation and job losses in some sectors, notably in the US.

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fixed-price contracts are considered which of the following? very flexible very rigid always cheaper than any other option useless when considering a systems design always the best option for any project

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Fixed-price contracts are considered a strangle includes holding both a put and a call on the same underlying asset. The correct answer is a. very flexible very rigid always.

Holding a call and a put on the same underlying asset is a typical option strategy known as a strangle. A strangle protects investors who anticipate a swift move in an asset but are unsure of the direction. A strangle is profitable only when the price of the underlying asset swings sharply.

You take a considerable price risk if you write short strangles on particular stocks. On an index, selling strangles is significantly safer. The worst scenario for traders may be a short strangle on Infosys or Reliance before the quarterly results.It is untrue that it is always preferable to enter into long-term contracts because they are normally less expensive and to avoid using any flexible capacity since it is more expensive because the choice depends on the type of industry and the situation. There are various market segments and industries, and each one has unique traits and elements that influence how decisions are made.

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face 2 face corporation reports 250 outstanding shares, 1,250 authorized shares, and 125 shares of treasury stock. how many shares are issued?

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We must take the number of treasury shares out of the total number of shares outstanding in order to determine the number of issued shares.

Issued shares = Outstanding shares - Treasury shares

We can enter the 250 outstanding shares and 125 shares of treasury stock that the Face 2 Face Corporation reports into the algorithm above to obtain the following result:

Issued shares = 250 - 125 = 125

Therefore, the number of issued shares for Face 2 Face Corporation is 125 shares.

Treasury shares are stock certificates issued by a firm that has since been repurchased by it. Since outside investors are no longer holding them, these shares are not regarded as outstanding shares. Instead, they are kept as an asset in the company's treasury.

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the best way to fully utilize team resources is the ______ approach to group decision making.

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The best way to fully utilize team resources is the collaborative approach to group decision making.

Diverse Perspectives: The collaborative approach allows for diverse perspectives to be considered during decision making. Each team member brings their unique knowledge, skills, experiences, and viewpoints to the table, which can lead to more creative and innovative solutions.

By leveraging the collective intelligence of the team, a wider range of ideas and solutions can be explored, leading to better decision outcomes. This approach promotes inclusivity and diversity, which can enhance problem-solving and decision-making processes.

Increased Ownership and Commitment: When team members are actively involved in the decision-making process, they are more likely to take ownership of the decision and commit to its implementation.

This is because they feel a sense of ownership and responsibility for the decision since they had a voice in shaping it.

This increased ownership and commitment can lead to higher levels of engagement, motivation, and accountability among team members, which can positively impact the utilization of team resources towards achieving team goals.

Enhanced Collaboration and Communication: The collaborative approach promotes open communication and encourages team members to actively listen to and respect each other's opinions.

It creates an environment where team members can freely express their ideas, concerns, and feedback without fear of judgment or reprisal. This open communication fosters trust, builds stronger team relationships, and enhances collaboration among team members.

Better communication leads to improved coordination, cooperation, and alignment of team resources towards achieving common objectives.

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At the beginning of the year, you owned $5,000 Disney stock, $10,000 of Bank of New York stock, and $15,000 of IBM stock. During the year, Disney, Bank of New York and IBM returns -4.8%, 19.4% and 12.8%, respectively. What’s your portfolio’s return? p = 1 ∗ 1 + 2 ∗ 2 + 3 ∗ 3

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To calculate your portfolio's return, we need to use the weighted average of the returns of the individual stocks. First, we need to calculate the total value of your portfolio at the beginning of the year, which is the sum of the value of each stock:

$5,000 + $10,000 + $15,000 = $30,000

Next, we need to calculate the total return of your portfolio, which is the sum of the weighted returns of each stock. To do this, we need to multiply each stock's return by its weight (i.e., the percentage of your portfolio that it represents), and then add up the results. The weights are calculated by dividing the value of each stock by the total value of your portfolio:

Disney: ($5,000 / $30,000) * (-4.8%) = -0.8%
Bank of New York: ($10,000 / $30,000) * 19.4% = 6.5%
IBM: ($15,000 / $30,000) * 12.8% = 6.4%

Portfolio return = (-0.8%) + 6.5% + 6.4% = 12.1%

Therefore, your portfolio's return for the year is 12.1%.

In summary, your portfolio's return is a weighted average of the returns of the individual stocks. The weights are based on the percentage of your portfolio that each stock represents. By using this formula, we can calculate the overall return of a portfolio and evaluate its performance.

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how does each factor influence the effectiveness of punishment

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The effectiveness of punishment can be influenced by several factors. Two key factors are the consistency of the punishment and the timing of its implementation. Consistency ensures that the individual understands the consequences of their actions and is more likely to change their behavior.

Influence can play a significant role in the effectiveness of punishment. If the person administering the punishment has a strong and positive relationship with the person being punished, the punishment is likely to have a greater impact. This is because the person being punished may feel more remorseful and motivated to change their behavior if they know they have disappointed someone they care about.  On the other hand, if the person administering the punishment is not respected or trusted, the punishment may be seen as unjust or ineffective, and may even result in resentment or retaliation. Additionally, the severity and consistency of punishment can also influence its effectiveness. If the punishment is too lenient, it may not be seen as a deterrent for future bad behavior. Conversely, if the punishment is too severe or inconsistent, it may be seen as unfair and may even push the person being punished towards more extreme behavior. Overall, the influence of relationships, severity, and consistency should be considered when determining the most effective form of punishment for a given situation.

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Each factor can influence the effectiveness of punishment in different ways.

Let me break it down for you step-by-step:
1. Severity of punishment: The harshness or intensity of the punishment can impact its effectiveness. If punishment is too severe, it may not be perceived as fair, and its effectiveness might be reduced. On the other hand, if the punishment is not severe enough, it may not serve as a strong deterrent.

2. Consistency: The consistency of punishment refers to how reliably a punishment is applied. Consistent punishment is more effective because it creates a clear connection between the undesired behavior and its consequences, making it more likely that the individual will avoid repeating the behavior in the future.

3. Immediacy: The time between the undesired behavior and the punishment can also affect its effectiveness. Punishments that occur immediately after the behavior are generally more effective, as they create a clear association between the behavior and its negative consequences.

4. Certainty: Certainty refers to the likelihood that a punishment will be applied when a rule is broken. A higher certainty of punishment is more effective, as it reinforces the idea that undesirable behavior will consistently result in negative consequences.

5. Individual differences: Personal factors, such as an individual's temperament, values, and previous experiences, can also influence the effectiveness of punishment. For example, some people may respond more to punishment than others due to their unique characteristics.

In summary, the effectiveness of punishment can be influenced by several factors, including severity, consistency, immediacy, certainty, and individual differences. Understanding how these factors interact can help in designing and implementing more effective punishment strategies.

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a consol is a bond that: a. pays a fixed annual coupon amount, and when originally issued, is set to mature in 30 years. b. pays a fixed annual coupon amount, and when originally issued, is set to mature in 50 years. c. does not pay an annual coupon (i.e., the annual coupon payment is $0) but when it matures pays out the par value of the bond. d. pays a fixed annual coupon amount forever. e. does not pay an annual coupon (i.e., the annual coupon payment is $0) and never matures

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A consol is a type of bond that pays a fixed annual coupon amount and is set to mature after a certain period of time when it is initially issued. For example, a consol may be set to mature in 30 or 50 years.

It pays an annual coupon payment and the par value of the bond when it matures. However, some consols do not pay an annual coupon (i.e., the annual coupon payment is $0) and they never mature. This type of consol is known as a perpetuity, since it will remain in effect forever.

Consols are attractive investments for those seeking a steady income stream. The longer the maturity period and the higher the coupon rate, the higher the return on investment. Additionally, since the bond does not mature, it does not have to be rolled over into a new investment, making it a more secure investment.

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9. Sask Inc has perpetual before-tax cash flows of $22,000 The corporate tax rate is 25%. The firm has a debt-to-equity ratio of 0.8, a WACC of 10%, and the cost of debt is 9.5%. What would be the firm's value if it had no debt? (10 marks)

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the value of the firm if it had no debt would be $550,000.To calculate the after-tax cash flows.

We can use the corporate tax rate of 25% to calculate the after-tax cash flows as follows:

After-tax cash flows = Before-tax cash flows * (1 - Corporate tax rate)

After-tax cash flows = $22,000 * (1 - 0.25)

After-tax cash flows = $16,500

Next, we need to calculate the WACC for the firm, which is the weighted average of the cost of equity and the after-tax cost of debt. We are given that the WACC is 10% and the cost of debt is 9.5%. We can use this information to calculate the cost of equity as follows:

WACC = (Cost of equity * Equity weight) + (After-tax cost of debt * Debt weight)

10% = (Cost of equity * 0.2) + (9.5% * 0.8)

Cost of equity = 15%

Now that we have the cost of equity and the after-tax cash flows, we can use the dividend discount model to calculate the value of the firm if it had no debt. The dividend discount model is as follows:

Value of the firm = After-tax cash flows / Cost of capital

where Cost of capital = Cost of equity * Equity weight

We are given that the debt-to-equity ratio is 0.8, which means that the equity weight is 0.2 and the debt weight is 0.8. Using these weights and the calculated cost of equity, we can calculate the cost of capital as follows:

Cost of capital = 15% * 0.2

Cost of capital = 3%

Finally, we can use the after-tax cash flows and the cost of capital to calculate the value of the firm:

Value of the firm = $16,500 / 0.03

Value of the firm = $550,000

Therefore, the value of the firm if it had no debt would be $550,000.

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Brewster's is considering a project with a life of 7 years, an initial cost of $156,000, and a discount rate of 12 percent. The firm expects to sell 1,200 units a year at a cash flow per unit of $56. The firm will have the option to abandon this project after 5 years at which time it could sell the project for $95,000. At what level of sales should the firm be willing to abandon this project at the end of year 5?
The firm is interested in knowing how the project will perform if the sales forecasts for Years 6 and 7 of the project are revised such that there is a 40 percent chance the unit sales will be 800, otherwise they expect to sell 1,450 units per year. What is the net present value of this project given these revised sales forecasts?

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The net present value  if continued is positive and higher than the NPV if abandoned, the firm should continue the project beyond year 5 and  The net present value of the project with the revised sales forecast is $269,102.56.

To determine the level of sales at which the firm should be willing to abandon the project at the end of year 5, we need to calculate the net present value (NPV) of the project if it is continued and the NPV if it is abandoned after year 5. Then, we can compare the two and see which option yields the higher NPV.

NPV if continued:

First, we need to calculate the annual cash flows for years 1-5 and the salvage value in year 5:

Year 1: (1,200 units x $56) = $67,200

Year 2: (1,200 units x $56) = $67,200

Year 3: (1,200 units x $56) = $67,200

Year 4: (1,200 units x $56) = $67,200

Year 5: (1,200 units x $56) + $95,000 = $161,000

Using the formula for the present value of an annuity and the present value of a lump sum, we can calculate the present value of the annual cash flows and the salvage value:

PV of annual cash flows = $67,200[(1-(1/1.12)⁵)/0.12] = $267,116.88

PV of salvage value = $95,000/(1.12)⁵ = $52,771.81

NPV if continued = -$156,000 + $267,116.88 + $52,771.81 = $163,888.69

NPV if abandoned:

If the project is abandoned after year 5, the salvage value is $95,000. We can calculate the present value of the salvage value:

PV of salvage value = $95,000/(1.12)⁵ = $52,771.81

NPV if abandoned = -$156,000 + $52,771.81 = -$103,228.19

To calculate the net present value (NPV) of the project with the revised sales forecast, we need to calculate the annual cash flows for years 1-7:

Year 1-5: same as before

Year 6-7: ($56 x 1,450 x 0.4) + ($56 x 800 x 0.6) = $40,320 + $27,360 = $67,680

Using the same formula as before, we can calculate the present value of the annual cash flows and the salvage value:

PV of annual cash flows = $67,200[(1-(1/1.12)⁵)/0.12] + $67,680[(1-(1/1.12)²)/0.12(1.12)⁵] = $372,330.75

PV of salvage value = $95,000/(1.12)⁵ = $52,771.81

NPV = -$156,000 + $372,330.75 + $52,771.81 = $269,102.56

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Question 3 (0.1 points) How many firms develop offerings to satisfy needs of all customers? Less than 1% 1-3% 04-7% More than 7%

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Less than 1% of firms develop offerings to satisfy the needs of all customers.

The development of offerings to satisfy the needs of all customers is not a common strategy among firms as it can be difficult, if not impossible, to create a product or service that meets the needs and preferences of all customers. This is especially true in today's market where customers have diverse preferences and tastes.

Instead, many firms adopt a more targeted approach to product development, focusing on specific customer segments or niches that they can serve effectively. By tailoring their offerings to the needs of a particular group of customers, firms can differentiate themselves from competitors, build strong customer relationships, and achieve higher profit margins.

Overall, the trend in modern marketing is towards segmentation and targeting, with firms seeking to develop offerings that meet the needs of specific customer groups rather than trying to appeal to everyone. This approach is more likely to be successful in today's market, where customers are increasingly demanding and have high expectations of the products and services they buy.

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